Recent Annual Filings for IMAX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $830,398,000 $352,208,000 $314,510,000 $27,440,000 $70,837,000 $-6,041,000 $23,580,000
2023 $814,669,000 $374,839,000 $328,722,000 $29,729,000 $58,615,000 $-48,530,000 $-21,705,000
2022 $821,154,000 $300,805,000 $310,574,000 $-38,177,000 $17,321,000 $-58,514,000 $-94,484,000
2021 $883,247,000 $254,883,000 $243,896,000 $-7,027,000 $6,065,000 $-132,720,000 $-127,668,000
2020 $997,750,000 $137,003,000 $266,127,000 $-151,496,000 $-23,011,000 $240,567,000 $207,895,000
2019 $889,069,000 $395,664,000 $320,328,000 $58,747,000 $90,376,000 $-57,118,000 $-32,106,000
2018 $873,600,000 $374,401,000 $330,796,000 $29,617,000 $109,972,000 $-70,862,000 $-17,135,000
2017 $866,612,000 $380,767,000 $350,756,000 $18,240,000 $85,366,000 $-57,536,000 $-46,034,000